portrait photo

Manfred Frühwirth

ao.Univ.Prof. Mag.Dr.rer.soc.oec. Manfred Frühwirth
Telephone:
+43 1 31336 4252
Email:
Contact information and photo taken from and editable at WU Directory.

CV

since 2012
Academic Director of the Professional MBA in Finance
2011-2013
Academic Director - Professional MBA in Banking
2011-2013
Academic Director of the Professional MBA in Controlling & Finance
2008-2010
Vice Head of the Institute for Corporate Finance
since 2006
Associate Professor
2005-2006
Visiting Professor at Harvard University
2004-2005
Deputy Head of the Institute of Finance and Financial Markets
2003-2005
Visiting Professor at Bordeaux Business School
2003-2005
Associate Professor
2003
habilitation
2000
Grant for extraordinary achievements in the Ph.D. programme
1999-2003
Assistant Professor
1999
Doctoral Studies
1994
Master Studies
1993-1999
Research and Teaching Assistant
1991
Grant for extraordinary achievements in the undergraduate programme of Vienna University of Economics and Business Administration
1983-1988
Commercial High School Tullln

Researcher Identifier

    No researcher identifier found.

Awards and Honors

2018
Nominierung für den Preis für Exzellente Lehre an der WU Wien 2018
2016
Nominierung für den Preis für Exzellente Lehre an der WU Wien 2016
2014
Teaching Award for Excellency from WU Executive Academy (Best Teacher of the Professional MBA Business Core)
Teaching Award for Excellency from WU Executive Academy (Best Teacher of the Professional MBA Finance)
2011
Award for Innovative Teaching from WU Wien
2009
Award for Excellence in Teaching from WU Wien
ÖVFA Capital Market Award for Research
2008
Highest Rate of all Professors in Terms of Students' Satisfaction in the Master in Corporate Banking Program of Unicredit
2006
Best Evaluation Results that a Main Lecturer Ever Achieved in the Executive MBA for International Supply Chain Management of ETH Zürich
2005
Second Best Teacher of the Year in the International MBA Program of WU Wien and University of South Carolina
Stipendium der Schumpeter-Gesellschaft
2004
Outstanding Teaching Award für den Kurs "Global Finance I" im Rahmen des International MBA-Programmes von University of South Carolina und Wirtschaftsuniversität Wien
2003
Deloitte and Touche Chair in Risk Management Research at the University of Antwerp
2001-2002
Outstanding Teaching Award für den Kurs "Finance" im Rahmen des International MBA-Programmes von University of South Carolina und Wirtschaftsuniversität Wien (Österreich)
2000
Leistungsstipendium der Niederösterreichischen Landesregierung für besondere Leistungen im Rahmen des Doktoratsstudiums
1999
Stephan-Koren-Preis (Hauptpreisträger für Dissertation und sonstige wissenschaftliche Leistungen)
1991
Certificat Pratique de Francais Commercial et Economique der französischen Handelskammer (Frankreich)
Leistungsstipendium der NÖ Landesregierung für besondere Leistungen im Rahmen des ersten Studienabschnittes des Wirtschafts- und Sozialökonomie-Studiums
1990
Certificate of Proficiency in English der Michigan University (Vereinigte Staaten/USA)

Classifications

Expertise

  • bond pricing
  • Dollar Cost Averaging
  • Impact of imputed interest on equity on corporate decisions
  • Financial mathematics
  • Earnings Management
  • Capital budgeting
  • optimization of capital structure
  • Credit risk
  • long-term investing
  • option pricing
  • real options
  • business valuation
  • Behavioral Finance
  • Value Driver Models
  • interest rate risk

Activities

Position in scientific committee
  2015 European Finance Association - Member of the Program Committee
  2010-2011 ACQUIN Akkreditierungsgesellschaft - Referee - Bachelor and Master Programs - University Heilbronn
  2009-2010 ACQUIN Akkreditierungsgesellschaft - Member of the committee to assess the accreditation of the MBA in International Management of the University of Defense Munich
  2009 17th Annual Conference of the European Financial Management Association - Member of the Program Committee
  2008 17th Annual Conference of the European Financial Management Association - Member of the Program Committee
  2007-2008 European Financial Management Association - President
  2007 16th Annual Conference of the European Financial Management Association - Member of the Program Committee
  2007 16th Annual Conference of the European Financial Management Association - Distringuished Instructor in the Doctorate Seminar
  2007 16th Annual Conference of the European Financial Management Association - Programme Chair
  2007 16th Annual Conference European Financial Management Association - Member of the Organizing Committee
  2006 15th Annual Conference of the European Financial Management Association - Distinguished Instructor in the 2006 Merton Miller Doctorate Seminar
  2001 Ueberreuter - Consulting with the curriculum of the Ueberreuter Portfolio Academy
  2001 Fachhochschule des BFI Wien - Member of the Collegium for the Banking and Finance Programme
  since 1994 Verband der Mitarbeiter(innen) in Forschung und Lehre an der WU Wien - Member
Position in jury, advisory board, curatorship
  2016 WU Wien - Member of the Committee for the Defensio Dissertationis by Mag. Harald Schwarzecker
  2013 WU Wien - Member of the Committee for the Defensio Dissertationis of Birgit Baumgartner
  2013 Universidad Carlos III de Madrid - Member of the Thesis Examination Committee for the Defensio Dissertationis of Jonatan Groba Dominguez
Position in internal habilitation committee
  2007 Habilitationskommission für Markus Schwaiger an der WU Wien - Member
  2007 Habilitationskommission für Markus Schwaiger - Recording Clerk
  2003 Habilitationskommission für Michael Hanke an der WU Wien - Member
Reviewer for scientific organization
  2011 Jubiläumsfonds der OeNB - Referee
  2011 Campus for Finance - Referee
  2010 Campus for Finance - Referee
  2005 Campus for Finance - Referee
  2004 European Financial Management Association - Member of the Programme Committee of the 13th Annual Conference
  2003 Campus for Finance - Referee
  2002-2003 Annual Conference of the Swiss Society for Financial Market Research - Referee
Membership in scientific association
  2014-2015 European Finance Association - Member
  2013 European Finance Association - Member
  2012 Eastern Finance Association - Member
  2006 Southwestern Finance Association
  2006 Midwest Finance Association
  2006 European Accounting Association
  2006 Eastern Finance Association
  since 2003 Verband der Hochschullehrer für Betriebswirtschaft
  2003 American Accounting Association
  2002-2003 European Accounting Association
  2002 Accounting and Finance Association of Australia and New Zealand
  2001 Southern Finance Association
  since 2001 European Financial Management Association
  since 1999 EURO Working Group on Financial Modelling
  since 1998 VG Wort
  since 1998 Literar-Mechana Wahrnehmungsgesellschaft für Urheberrechte
  since 1998 Deutsche Gesellschaft für Finanzwirtschaft
  1997 European Finance Association - Member
  since 1997 Austrian Working Group on Banking and Finance - Member
Member of the editorial board
  since 2008 Investment Management and Financial Innovations
Reviewer for a scientific journal
  2013 Investment Management and Financial Innovations - Referee
  2013 Investment Management and Financial Innovations - Referee
  2013 Business Research - Referee
  2011 Kredit & Kapital - Referee
  2011 Investment Management and Financial Innovations - Referee
  2010 Zeitschrift für Betriebswirtschaft - Referee
  2010 Quantitative Finance - Referee
  2010 European Journal of Finance - Referee
  2010 Bankarchiv - Referee
  2009 Zeitschrift für Betriebswirtschaft - Referee
  2008-2009 Quantitative Finance - Referee
  2008-2009 Investment Management and Financial Innovations - Referee
  2006 Österreichisches Bankarchiv - Referee
  2006 Finanz Archiv - Referee
  2005 International Journal of Theoretical and Applied Finance - Referee
  2003 Schmalenbach Business Review - Referee
  2003-2004 Journal für Betriebswirtschaft - Referee
  2002-2003 International Journal of Intelligent Systems in Accounting, Finance and Management - Referee
  2001 European Journal of Operational Research - Referee
Reviewer for an international conference
  2015 European Finance Association - Referee
  2011 European Winter Finance Summit - Referee
  2011 Annual Conference of the Swiss Society for Financial Market Research - Referee
  2010 Campus for Finance - Referee
  2010 Annual Conference of the Swiss Society for Financial Market Research - Referee
  2009 European Winter Finance Summit - Referee
  2008 European Financial Management Association - Merton H Miller Doctorate Seminar - Distinguished Instructor in the PhD Program
  2007-2009 Annual Conference of the European Financial Management Association - Referee
  2004 Annual Conference of the European Financial Management Association - Referee
Organization other meeting (Excursion etc.)
  2017 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Oliver Schumy ("The Tool Kit of Corporate Finance with an Integrated View of the Real Estate Business in Western and Eastern Europe")
  2017 Professional MBA Finance der WU Executive Academy - Organisation of the Fireside Chat "Credit Risk: Measurement and Management" by Michael Hanke and Gerhard Winkler
  2017 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Harald Hauer ("Corporate Risk Management as Essential Part of Corporate Finance")
  2017 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Walter Hausner ("Selected Topics of Investment Management")
  2017 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Ulrike Klemm-Pöttinger ("Behavioural Corporate Finance & Kapsch TrafficCom")
  2016 WU Executive Academy - Organisation of the field trip for the students of the Professional MBA Finance to Boston and to Harvard University
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentations by Paul Riccardella and other representatives from MSCI Boston ("MSCI Index Summary", "MSCI Analytics", "MSCI ESG Rating: The Next Generation of ESG Ratings)
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Slavik Sheremirov ("The Fed and the Economy")
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Martin Bruckner ("Insurance Investing - Challenges in the Current Environment")
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Fireside Chat on "Mergers & Acquisitions at Western Union and Private Equity Financing" between Jan Hillered and Christian Czernich
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Luis Viceira from/at Harvard University ("Pension Finance")
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by David Scharfstein from/at Harvard University ("Banking and Financial Regulation")
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Robert Kaplan ("Balanced Scorecard: Why Businesses Need Non-Financial Metrics to Measure Performance") from/at Harvard University
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the company visit of the students of the MBA Finance at FINRA Boston
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the company visit of the students of the MBA Finance at Fidelity Boston
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the company visit of the students of the MBA Finance at Goldman Sachs Boston
  2016 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Peter Zydek ("From Red Line to Blue Line Management - Views on Value Creation and an Integrated Approach to Corporate Finance")
  2015 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Harald Hauer ("Enterprise Risk Management")
  2015 Professional MBA Finance der WU Executive Academy - Organization of the Distinguished Guest Speaker Presentation by Gottfried Ransmayr ("Can debt capital market products substitute bank loans")
  2015 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Alexander Knourek ("Corporate Valuation beyond Basic Valuation Models")
  2015 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Thomas Weitz ("A Trend in Financial Markets Risk Premia Investing")
  2014 WU Executive Academy - Organisation of the field trip of the students in the Professional MBA Finance to Boston and to Harvard University
  2014 Professional MBA Finance der WU Executive Academy - Organisation of the company visit of the students of the MBA Finance at State Street Global Advisors Boston
  2014 Professional MBA Finance der WU Executive Academy - Organization of the Distinguished Guest Speaker Presentation by Gerold Petritsch ("Mathematical Modeling in Energy Trading: A Practical Overview")
  2014 Professional MBA Finance der WU Executive Academy - Organization of the Distinguished Guest Speaker Presentation by Brigitte Madrian ("Behavioral Biases in Individual Financial Decision-Making")
  2014 Professional MBA Finance der WU Executive Academy - Organization of the Distinguished Guest Speaker Presentation by Andreas Wosol ("Business Valuation - Art or Science")
  2014 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Jeffry Frieden ("The European Financial and Economic Crisis - from the Perspective of the USA") from/at Harvard University
  2014 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Jose L. Fillat ("The Role of the Federal Reserve in the US Financial System")
  2014 Professional MBA Finance der WU Executive Academy - Organization of the Distinguished Guest Speaker Presentation by Malcolm Baker ("Low Volatility Anomaly and Bank Capital")
  2014 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Joe Peek ("Monetary Policy and the Financial Crisis")
  2014 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Giovanni Olivei ("Issues in Assessing the U.S. Outlook")
  2014 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Kurt Forsgren ("Standard & Poor's Ratings Services: An Introduction")
  2013 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker presentation by Wolfgang Pammer ("Developments in Interest Rate Derivatives Trading since 2008")
  2013 Professional MBA Finance der WU Executive Academy - Organisation of the Distinguished Guest Speaker Presentation by Gerald Reidinger ("Treasury Management")
Memberships in corporate advisory boards, Leading positions in corporations
  since 2004 Dr. Frühwirth KG - Managing Director
Position in administration
  2009 WU Wien - sponsor
  2008-2010 Institut für Corporate Finance - Vize-Head of the Institute
  2004-2005 Institut für Finanzierung - Vice Head of the Institute for Finance
  1995 Instituts für Finanzierung der Wirtschaftsuniversität Wien - Member/Replacement Member of the Conference of the Institute
Academic advisor
  since 2000 WU - Responsible academic member for the cooperation between WU and Miami University (Ohio)
Supervisor dissertation
  2004-2007 Wirtschaftsuniversität Wien - Supervision of phd thesis of Gerhard Kristandel
Research and Teaching Stay
  2005-2006 Harvard University - Visiting Professor
Other occupation
  2000-2002 Fachhochschule des Berufsförderungsinstitutes Wien ("Studiengang Bank- und Finanzwirtschaft") - Head of the Field "Financial Markets"
Other scientific activities
  since 2011 WU Executive Academy - Academic Director of the Professional MBA Finance

Publications

Book (monograph)

2019 Frühwirth, Manfred. 2019. Behavioral Corporate Finance – Grenzen der Rationalität in der betrieblichen Finanzierung - Band I: Standard Corporate Finance, in Druck. 1. Wien: Bankverlag Wien. (Details)
  Frühwirth, Manfred. 2019. Behavioral Corporate Finance – Grenzen der Rationalität in der betrieblichen Finanzierung - Band II: Behavioral Corporate Finance, in Druck. 1. Wien: Bankverlag Wien. (Details)
2000 Frühwirth, Manfred. 2000. Die Bewertung von SMR-basierten Kapitalmarktfloatern - Modelle unter besonderer Berücksichtigung des Bonitätsrisikos. Service-Fachverlag, Wien (Details)
1997 Frühwirth, Manfred. 1997. Handbuch der Renditeberechnung. Oldenbourg-Verlag, München, Wien, 2. Auflage: 2002 (Details)

Journal article

2015 Frühwirth, Manfred, Sögner, Leopold. 2015. Weather and SAD related mood effects on the financial market. Quarterly Review of Economics and Finance (formerly: Quarterly Review of Economics and Business) 57 S. 11-31. (Details)
2013 Frühwirth, Manfred. 2013. Behavioral Finance als Ergänzung der Standard-Finanzierungstheorie - Empirische Ergebnisse zur Rationalität in der österreichischen Finanzwirtschaft. BankArchiv - Zeitschrift für das gesamte Bank- und Börsenwesen 61 (10): 728-745. (Details)
2012 Frühwirth, Manfred. 2012. Das optimale Design von Sparplänen - Eine nutzentheoretisch fundierte Analyse von Sparplänen, Cost Averaging und Einmalzahlung. BankArchiv - Zeitschrift für das gesamte Bank- und Börsenwesen 60 (1): 27-43. (Details)
  Frühwirth, Manfred, Sewera, Sonja. 2012. Die steuerliche Behandlung von Nullkupon-Wohnbauanleihen. BankArchiv - Zeitschrift für das gesamte Bank- und Börsenwesen 60 (3): 167-175. (Details)
2010 Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2010. The Risk Microstructure of Corporate Bonds: A Case Study from the German Corporate Bond Market. European Financial Management 16 (4): 658-685. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2010. The Impact of Imputed Interest on Equity Provisions on the Capital Structure of Austrian Firms. Euro-Mediterranean Economics and Finance Review 5 (3): 55-70. (Details)
2007 Frühwirth, Manfred, Schneider, Paul, Schwaiger, Markus. 2007. Timing Decisions in a Multinational Context: Implementing the Amin/Bodurtha Framework. Multinational Finance Journal 11 (3/4): 157-178. (Details)
2006 Frühwirth, Manfred, Schwaiger, Markus. 2006. International Solutions to Cope with the Problem of Tax-Induced Capital Structure Distortions. Centerpiece 20 (1): 12-13. (Details)
  Frühwirth, Manfred, Schneider, Paul, Schwaiger, Markus. 2006. The Amin/Bodurtha Framework for Interest Rate and Exchange Rate Derivatives - Implementational Issues. Journal of Derivatives Markets 3 (1): 42-56. (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2006. The Jarrow/Turnbull Default Risk Model: Evidence from the German Market. European Journal of Finance 12 (2): 107-135. (Details)
2004 Bogner, Stefan, Frühwirth, Manfred, Schwaiger, Markus. 2004. DCF Valuation and Imputed Interest on Equity Increase - Implications of the Austrian Tax System in a Model with Stochastic Profitability. Schmalenbach Business Review 56 (3): 223-257. (Details)
  Frühwirth, M., Schwaiger, Markus. 2004. Der Einfluss der Steuerreform 2005 auf die optimale Kapitalstruktur österreichischer Kapitalgesellschaften. Österreichische Zeitschrift für Recht und Rechnungswesen, 14, 6, 184-187 (Details)
  Frühwirth, M.. 2004. Sparpläne und Cost-Averaging - Ein Vergleich zwischen Einmalzahlung, statischem Sparplan und dynamischem Sparplan. Journal für Betriebswirtschaft, 54, 3, 80-99 (Details)
2003 Frühwirth, Manfred, Schwaiger, Markus. 2003. Der Wertbeitrag der Eigenkapitalzuwachszinsen in einem stochastischen 2-Phasen-Modell. Journal für Betriebswirtschaft (JfB) 53 (4): 148-160. (Details)
  Frühwirth, M., Schwaiger, M.. 2003. Der Wertbeitrag der Eigenkapitalzuwachszinsen in einem stochastischen 2-Phasen-Modell. Journal für Betriebswirtschaft, 53, 4, 148-160 (Details)
  BOGNER, Stefan, FRÜHWIRTH, Manfred, SCHWAIGER, Markus. 2003. Die Ermittlung der österreichischen Marktrisikoprämie unter Berücksichtigung von Steueränderungen im Zeitablauf. BankArchiv, 51, 6, 441-446 (Details)
  Frühwirth, Manfred, Schwaiger, Markus. 2003. Die Förderung von Eigenkapital über die steuerliche Entlastung einbehaltener Gewinne. Steuer- und Wirtschaftskartei, 78, 10, 439-444 (Details)
  BOGNER, Stefan, FRÜHWIRTH, Manfred, SCHWAIGER, Markus. 2003. Die Schätzung der Marktrisikoprämie aus empirischen Zeitreihen - Eine Analyse für den österreichischen Markt. Österreichische Zeitschrift für Recht und Rechnungswesen, 13, 4, 107-112 (Details)
2002 Frühwirth, Manfred, Schwaiger, Markus. 2002. Die Geltendmachung einer Investitionszuwachsprämie in den Jahren 2002 und 2003 nach § 108e EStG. ecolex, 13, 12, 919-920 (Details)
  Bogner, Stefan, Frühwirth, Manfred, Höger, Andreas. 2002. Die optimale Kapitalstruktur österreichischer Kapitalgesellschaften nach der Steuerreform 2000 unter besonderer Berücksichtigung der Eigenkapitalzuwachsverzinsung. Zeitschrift für betriebswirtschaftliche Forschung, 54, 233-245 (Details)
  Frühwirth, Manfred. 2002. The Heath/Jarrow/Morton Duration and Convexity - A Generalized Approach. International Journal of Theoretical and Applied Finance, 5, 7, 695-700 (Details)
  Frühwirth, Manfred. 2002. The Optimal Timing of the Transfer of Hidden Reserves in the German and Austrian Tax Systems. International Journal of Intelligent Systems in Accounting, Finance and Management, 11, 2, 71-88 (Details)
2001 Frühwirth, Manfred. 2001. A Pricing Model for Secondary Market Yield Based Floating Rate Notes Subject to Default Risk. European Journal of Operational Research, 135/2, 3-18 (Details)
  Bogner, Stefan, Frühwirth, Manfred, Schwaiger, Markus. 2001. Unternehmensbewertung bei Eigenkapitalzuwachsverzinsung - Ein modifizierter APV-Ansatz. Österreichische Zeitschrift für Recht und Rechnungswesen 11, 5, 149-152 (Details)
2000 Frühwirth, Manfred, Höger, Andreas. 2000. Die Schätzung der Zinsstruktur aus Swapmarkt-Daten unter besonderer Berücksichtigung des Bonitätsrisikos. Finanz Betrieb, 2, 1, 40-43 (Details)
1999 Bogner, Stefan, Frühwirth, Manfred, Höger, Andreas. 1999. Die geplante Abzugsfähigkeit der Eigenkapitalzuwachsverzinsung nach § 11 EstG bzw. § 11 KStG. Steuer- und Wirtschaftskartei, 74, 16/17, 689-698 (Details)
1997 Frühwirth, Manfred. 1997. Kostenzerlegung und optimale Bezugsgröße. Zeitschrift für Excel, Rechnungswesen und Controlling, Dezember, 1-8 (Details)
  Frühwirth, Manfred, Steiner, Peter. 1997. Zur Ermittlung eines effektiven Jahreszinssatzes. Österreichisches Bank-Archiv, 45, 5, 341-344 (Details)
1996 Frühwirth, Manfred. 1996. Aktuelle Forschungsergebnisse im österreichischen Bank- und Finanzwesen - Eine Zusammenfassung des 7. Workshops der Austrian Working Group on Banking and Finance. Österreichisches Bank-Archiv, 44, 1, 62-64 (Details)

Chapter in edited volume

2006 Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2006. Bayesian versus Maximum Likelihood Estimation of Term Structure Models Driven by Latent Diffusions. In Operations Research Proceedings 2005 - Selected Papers of the Annual International Conference of the German Operations Research Society, Hrsg. Haasis Hans-Dietrich/Kopfer Herbert/Schönberger Jörn, 507-512. Wien: Springer. (Details)
1999 Bogner, Stefan, Frühwirth, Manfred, Höger, Andreas. 1999. Die Forschung am Lehrstuhl für Betriebliche Finanzierung. In: Schneider, Wilfried (Hrsg.): Betriebswirtschaftliche Forschung an der Wirtschaftsuniversität - Konzepte, Befunde und Ausblick. S. 17-31, Verlag Ueberreuter, Wien (Details)
1998 Frühwirth, Manfred. 1998. Typologie und Bewertung von Anleihen mit variabler Verzinsung - Ein Überblick über den Stand der Forschung. In: Clement, Werner (Hrsg.): Forschung für die Wirtschaft. Kompetenz-Zentrum Wien, Jahrestagung 1998 der Wirtschaftsuniversität Wien, S. 177-184, Service-Fachverlag, Wien (Details)

Contribution to conference proceedings

2003 Frühwirth, Manfred, Sögner, Leopold. 2003. The Implicit Estimation of Default Intensities and Recovery Rates. In: Harhoff Dietmar/Schwaiger Manfred (Hrsg.): Empirie und Betriebswirtschaft - Entwicklungen und Perspektiven. Ausgewählte Beiträge der 64. wiss. Jahrestagung des Verb. der Hochschullehrer für Betriebswirtsch., 351-373, Schäffer-Poeschel, Stuttgart (Details)
2002 Bogner, Stefan, Frühwirth, Manfred, Schwaiger, Markus. 2002. Business Valuation with Attention to Imputed Interest on Equity Increase - A Comparison of Alternative Pricing Methods in a Model with Stochastic Profitability. Tagungsband der 9. Jahrestagung der Wirtschaftsuniversität Wien, CD-ROM 'Forschung für Wirtschaft und Gesellschaft' (Details)
1996 Frühwirth, Manfred. 1996. Accrued Interest Computation from a Financial Mathematical Point of View. In: Recent Developments in Research in Economics and Business: Perspectives for European Firms and Managers, Tagungsband der 2. CEMS-Konferenz, Mailand (Details)
1995 Frühwirth, Manfred. 1995. Yield Methods for Fixed Income Bonds. In: Recent Developments in Economics and Business Administration, Tagungsband der 1. CEMS-Konferenz, Wien (Details)

Paper presented at an academic conference or symposium

2015 Frühwirth, Manfred. 2015. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. International Conference on Operations Research, Wien, Österreich, 02.09.2015-04.09.2015. (Details)
2014 Frühwirth, Manfred, Sögner, Leopold. 2014. Weather and SAD Related Mood Effects on the Financial Market. 23rd Annual Meeting of the European Financial Management Association, Rom, Italien, 25.06 - 28.06. (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2014. Weather and SAD Related Mood Effects on the Financial Market. 76th Annual Conference of the German Academic Association for Business Research (Verband der Hochschullehrer für Betriebswirtschaft), Leipzig, Deutschland, 11.06 - 13.06. (Details)
2013 Frühwirth, Manfred, Sögner, Leopold. 2013. Weather and SAD Related Mood Effects on the Financial Market. Jahreskonferenz der Austrian Working Group on Banking and Finance, Wien, Österreich, 22.11.-23.11.. (Details)
2012 Frühwirth, Manfred. 2012. Do Equity Tax Shields Reduce the Leverage - The Austrian Case.. Annual Conference of the Eastern Finance Association, Boston, Vereinigte Staaten/USA, 12.04.-15.04.. (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2012. Does the sun shine really shine on the financial markets. Annual Conference of the Swiss Finance Association, Zürich, Schweiz, 16.03-16.03. (Details)
2011 Frühwirth, Manfred, Kobialka, Marek. 2011. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Annual Conference of the Multinational Finance Society, Rom, Italien, 24.06.-25.06.. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2011. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Annual Conference of the Financial Management Association, Porto, Portugal, 13.06-15.06. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2011. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Conference of the EURO Working Group on Financial Modelling, Helsinki, Finnland, 24.11.-25.11.. (Details)
2010 Frühwirth, Manfred, Mikula, Georg. 2010. Das optimale Design von dynamischen Sparplänen für Prospect Theory-Investoren. Konferenz der Austrian Working Group on Banking and Finance, Graz, Österreich, 26.11.-27.11.. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2010. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Annual Conference of the Global Finance Association, Poznan, Polen, 27.06.-30.06.. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2010. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Annual Conference of the Southwestern Finance Association, Dallas, Vereinigte Staaten/USA, 04.03.-06.03.. (Details)
  Frühwirth, Manfred, Mikula, Georg. 2010. The optimal design of savings plans for prospect theory investors. Annual Conference of the Eastern Finance Association, Miami, Vereinigte Staaten/USA, 14.04.-17.04.. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2010. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Conference of the International Federation of Scholarly Associations of Management, Paris, Frankreich, 07.07.-10.07.. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2010. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. International Conference on Accounting & Finance, Skiathos, Griechenland, 26.08.-27.08.. (Details)
2009 Frühwirth, Manfred, Kobialka, Marek. 2009. Do Equity Tax Shields Increase the Equity Ratio? The Austrian Case. Annual Conference of the European Financial Management Association, Mailand, Italien, 24.6.-27.6.. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2009. Do Equity Tax Shields Reduce the Leverage - The Austrian Case. Annual Conference of the Southern Finance Association, Captiva Island, Vereinigte Staaten/USA, 18.11.-21.11.. (Details)
  Frühwirth, Manfred, Mikula, Georg. 2009. The optimal design of savings plans. Annual Conference of the EURO Working Group on Financial Modelling, San Jose, Costa Rica, 7.12.-9.12.. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2009. The Risk Microstructure of Corporate Bonds. Annual Conference of the Swiss Society for Financial Markets Research, Genf, Schweiz, 3.4.-3.4.. (Details)
  Frühwirth, Manfred, Sögner, Leopold, Schneider, Paul. 2009. The Risk Microstructure of Corporate Bonds: A Case Study from the German Bond Market. International Risk Management Conference, Venedig, Italien, 22.6.-24.6.. (Details)
2008 Frühwirth, Manfred, Kobialka, Marek. 2008. Do Equity Tax Shields Increase the Equity Ratio? The Austrian Case. Jahreskonferenz der Austrian Working Group on Banking and Finance, Wien, Österreich, 12.12. - 13.12.. (Details)
  Frühwirth, Manfred, Mikula, Georg. 2008. The optimal design of savings plans for prospect theory investors. Annual Conference of the European Financial Management Association, Athen, Griechenland, 25.06. - 28.06.. (Details)
  Frühwirth, Manfred, Mikula, Georg. 2008. The optimal design of savings plans for prospect theory investors. Annual Conference of the Multinational Finance Society, Orlando, Vereinigte Staaten/USA, 06.07. - 09.07.. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2008. The Risk Microstructure of Corporate Bonds - A Bayesian Analysis from the German Corporate Bond Market. Annual Conference of the German Finance Association, Münster, Deutschland, 10.10. - 11.10.. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2008. The Risk Microstructure of Corporate Bonds - A Case Study from the German Corporate Bond Market. 11th Symposium Finance, Banking and Insurance, Karlsruhe, Deutschland, 17.12. - 19.12.. (Details)
2007 Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2007. The Risk Microstructure of Corporate Bonds - A Bayesian Analysis. Annual Conference of the German Academic Association of Business Research, Paderborn, Deutschland, 31.05. - 2.06.. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2007. The Risk Microstructure of Corporate Bonds - A Bayesian Analysis for the German Bond Market. International Workshop on Computational and Financial Econometrics, Geneva, Schweiz, 20.04-22.04. (Details)
2006 Frühwirth, Manfred, Schwaiger, Markus. 2006. DCF Business Valuation and Cost of Capital Relations in Tax Systems with Imputed Interest on Equity. Annual Conference of the Southwestern Finance Association, Oklahoma City, Vereinigte Staaten/USA, Februar 2006. (Details)
  Frühwirth, Manfred, Schwaiger, Markus. 2006. DCF Business Valuation and Cost of Capital Relations in Tax Systems with Imputed Interest on Equity. Annual Conference of the Midwest Finance Association, Chicago, Vereinigte Staaten/USA, 23. - 25. März 2006. (Details)
  Frühwirth, Manfred, Schwaiger, Markus. 2006. DCF Business Valuation and Cost of Capital Relations in Tax Systems with Imputed Interest on Equity. Annual Conference of the Eastern Finance Association, Philadelphia, Vereinigte Staaten/USA, 20. - 22. April 2006. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2006. The Risk Microstructure of Corporate Bonds - A Bayesian Analysis. 15th Annual Conference of the European Financial Management Association, Madrid, Spanien, 28. Juni - 1. Juli 2006. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2006. The Risk Microstructure of Corporate Bonds - A Bayesian Analysis. Annual Conference of the European Finance Association, Zürich, Schweiz, 23. - 26. August 2006. (Details)
  Frühwirth, Manfred, Schneider, Paul, Sögner, Leopold. 2006. Microstructure of Corporate Bonds - A Bayesian Analysis. Quantitative Methods in Finance, Sydney, Australien, December. (Details)
2005 Frühwirth, M., Schwaiger, M.. 2005. Business Valuation in Tax Regimes with Imputed Interest on the Stock of Equity. 28th Annual Conference of the European Accounting Association, Gothenburg, Sweden (Details)
  Frühwirth, M., Schneider, P., Sögner, L.. 2005. Disentangling Default Risk from Liquidity Risk. Austrian Working Group on Banking and Finance (Details)
  Frühwirth, M., Schneider, P., Sögner, L.. 2005. Disentangling Default Risk from Liquidity Risk. International Scientific Annual Conference Operations Research 2005, Bremen, Germany (Details)
  Frühwirth, M.. 2005. The Jarrow/Turnbull Default Risk Model: Evidence from the German Market. 12th Annual Conference of the Multinational Finance Society, Athens, Greece (Details)
2004 Frühwirth, M., Schwaiger, M.. 2004. Business Valuation in Tax Regimes with Imputed Interest on the Stock of Equity. 19th Workshop of the Austrian Working Group on Banking and Finance, Vienna, Austria (Details)
  Frühwirth, M.. 2004. Business Valuation in Tax Regimes with Imputed Interest on the Stock of Equity. 13th Annual Conference of the European Financial Management Association, Basel, Switzerland (Details)
  Bogner, S., Frühwirth, M. , Schwaiger, M.. 2004. Business Valuation with Attention to Imputed Interest on Equity Increase. Annual Conference of the American Accounting Association, Orlando, USA (Details)
  Frühwirth, M; Schneider, P; Schwaiger, M;. 2004. The Amin/Bodurtha Framework For Interest Rate and Exchange Rate Derivatives - Implementational Issues. Multinational Finance, Istanbul, Turkey (Details)
2003 Frühwirth, M., Schwaiger, Markus. 2003. Business Valuation with Attention to Imputed Interest on Equity Increase - A Comparison of Alternative Pricing Methods in a Model with Stochastic Profitability. 26th Annual Conference of the European Accounting Association, Sevilla, Spain (Details)
  Frühwirth, M., Schneider, P., Schwaiger, M.. 2003. The Amin/Bodurtha Framework For Interest Rate and Exchange Rate Derivatives - Implementational Issues. Austrian Working Group of Banking and Finance (Details)
  Frühwirth, M.. 2003. The Jarrow/Turnbull Default Risk Model - Evidence from the German Market. 1st European Deloitte & Touche Conference in Risk Management (Details)
  Frühwirth, M.. 2003. The optimal timing of the transfer of hidden reserves in the German and Austrian tax systems. 12th Annual Conference of the European Financial Management Association, Helsinki, Finland (Details)
2002 Schwaiger, Markus, Frühwirth, Manfred. 2002. Business valuation with attention to imputed interest on equity increase. 9th Annual Meeting of the German Finance Association, Köln (Details)
  Frühwirth, Manfred. 2002. Business valuation with attention to imputed interest on equity increase. 11th Annual Conference of the European Financial Management Association in London (Details)
  Frühwirth, Manfred. 2002. The implicit estimation of default intensities and recovery rates. 16th Workshop of the Austrian Working Group on Banking and Finance, University of Vienna, Austria (Details)
  Sögner, Leopold, Frühwirth, Manfred. 2002. The Jarrow/Turnbull default risk model - Evidence from the German market. 29th Annual Meeting of the European Finance Association, Humboldt-Universität Berlin (Details)
  Frühwirth, Manfred. 2002. The Jarrow/Turnbull default risk model - Evidence from the German market. 64. Jahrestagung des Verbandes der deutschsprachigen Hochschullehrer für Betriebswirtschaft, Ludwig-Maximilians-Universität München (Details)
  Frühwirth, Manfred. 2002. The optimal timing of the transfer of hidden reserves in the German and Austrian tax systems. 25th Annual Conference of the European Accounting Association, Copenhagen Business School (Details)
  Frühwirth, Manfred. 2002. The optimal timing of the transfer of hidden reserves in the German and Austrian tax systems. Recent Topics in Real Options Valuation, Donau Universität Krems (Details)
  Frühwirth, Manfred. 2002. Unternehmensbewertung unter Berücksichtigung von Eigenkapitalzuwachsverzinsung. 9. Jahrestagung der Wirtschaftsuniversität Wien (Details)
2001 Frühwirth, Manfred, Sögner, Leopold. 2001. The Jarrow/Turnbull default risk model: Evidence from the German market. 10th European Financial Management Conference, Lugano (Details)
  Frühwirth, Manfred, Schwaiger, Markus. 2001. Unternehmensbewertung unter Berücksichtigung von Eigenkapitalzuwachsverzinsung. Ein Vergleich alternativer Bewertungsmethoden bei unsicherer Gewinnentwicklung. 15. Workshop der Austrian Working Group on Banking and Finance, TU Wien (Details)
2000 Frühwirth, Manfred. 2000. Die optimale Kapitalstruktur österreichischer Kapitalgesellschaften nach der Steuerreform 2000 unter besonderer Berücksichtigung der Eigenkapitalzuwachsverzinsung. 3. Konferenz der Schweizerischen Gesellschaft für Finanzmarktforschung in Zürich (Details)
  Frühwirth, Manfred. 2000. Die optimale Kapitalstruktur österreichischer Kapitalgesellschaften nach der Steuerreform 2000 unter besonderer Berücksichtigung der Eigenkapitalzuwachsverzinsung. 13. Workshop der Austrian Working Group on Banking and Finance, Karl-Franzens-Universität in Graz (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2000. Längsschnitt- vs. Querschnittsschätzung von Ausfallsrisiko im Jarrow-Turnbull Modell. 14. Workshop der Austrian Working Group on Banking and Finance, Leopold-Franzens-Universität in Innsbruck (Details)
  Frühwirth, Manfred. 2000. The Optimal Capital Structure of Austrian Corporations after the Tax Reform Act 2000. Conference on Intertemporal Finance in Konstanz (Details)
1999 Frühwirth, Manfred. 1999. A Pricing Model for Secondary Market Yield Based Floating Rate Notes. 25th Meeting of the EURO Working Group on Financial Modelling an der Wiener Börse (Details)
1998 Frühwirth, Manfred. 1998. Die Bewertung von Kapitalmarktfloatern unter Berücksichtigung des Bonitätsrisikos. 5. Jahrestagung der Deutschen Gesellschaft für Finanzwirtschaft (DGF) in Hamburg (Details)
  Frühwirth, Manfred. 1998. Suggestions for Pricing Secondary Market Yield Based Floating Rate Notes Subject to Default Risk. 8th Annual Derivative Securities Conference an der Boston University/School of Management (Details)
  Frühwirth, Manfred. 1998. Suggestions for Pricing Secondary Market Yield Based Floating Rate Notes Subject to Default Risk. 38. Konferenz der Southern Finance Association (SFA) in Marco Island (Details)
  Frühwirth, Manfred. 1998. Suggestions for Pricing Secondary Market Yield Based Floating Rate Notes Subject to Default Risk. 15th International Conference of Finance (AFFI 98) in Lille (Details)
  Frühwirth, Manfred. 1998. Typologie und Bewertung von Anleihen mit variabler Verzinsung - Ein Überblick über den Stand der Forschung. 5. Jahrestagung der Wirtschaftsuniversität Wien (Details)
1997 Frühwirth, Manfred. 1997. Die Bewertung von Kapitalmarktfloatern unter Berücksichtigung des Bonitätsrisikos - Wertgrenzen durch sub- und superduplizierende Handelsstrategien in einem zeitdiskreten Modell. 10. Workshop der Austrian Working Group on Banking and Finance, Karl-Franzens-Universität in Graz (Details)
1996 Frühwirth, Manfred. 1996. Accrued Interest Computation from a Financial Mathematical Point of View. 2. CEMS-Konferenz an der Wirtschaftsuniversität Bocconi in Mailand (Details)
1995 Frühwirth, Manfred. 1995. Yield Methods for Fixed Income Bonds. 1. CEMS-Konferenz an der Wirtschaftsuniversität in Wien (Details)

Working/discussion paper, preprint

2009 Frühwirth, Manfred, Kobialka, Marek. 2009. Do Equity Tax Shields Reduce the Leverage? The Austrian Case. (Details)
2008 Frühwirth, Manfred, Mikula, Georg. 2008. The Optimal Design of Savings Plans for Prospect Theory Investors. (Details)
2006 Frühwirth, Manfred, Schwaiger, Markus. 2006. Business Valuation and Cost of Capital Relations in Tax Regimes with Imputed Interest on the Stock of Equity. Working Paper, Vienna University of Economics and Business Administration. (Details)
  Frühwirth, Manfred, Schwaiger, Markus. 2006. DCF Business Valuation in Tax Regimes with Imputed Interest on the Stock of Equity. Refereed Working Paper Series of the Weatherhead Center for International Affairs, Harvard University. (Details)
1997 Frühwirth, Manfred, Höger, Andreas. 1997. Trading-Strategien in einem künstlichen Finanzmarkt. Working Paper Wirtschaftsuniversität Wien (Details)

Teaching materials

2018 Frühwirth, Manfred. 2018. Unterrichtsmaterialien für "Behavioral Corporate Finance" (Elective Corporate Finance im Master Finanzwirtschaft und Rechnungswesen). (Details)
2016 Frühwirth, Manfred. 2016. Materials for Financial Management & Controlling (used in various MBA Programs of WU Executive Academy). (Details)
2015 Frühwirth, Manfred. 2015. Unterrichtsmaterialien für "Systemdenken und Entscheidungsmanagement - Behavioral Corporate Finance" (Details)
2014 Frühwirth, Manfred. 2014. Bridging Course "Introduction: The Ideological Background of Finance". (Details)
  Frühwirth, Manfred. 2014. Bridging Course "The Time Value of Money". (Details)
  Frühwirth, Manfred. 2014. Materials for Behavioral Corporate Finance (used in the Professional MBA Finance of WU Executive Academy).. (Details)
2012 Frühwirth, Manfred. 2012. Materials for Finance-Based Controlling (used in various Professional MBA Programs of WU Executive Academy). (Details)
  Frühwirth, Manfred. 2012. Materials for Financial Management (used in various Professional MBA Programs of WU Executive Academy)... (Details)
2011 Frühwirth, Manfred. 2011. Course Materials for Capital Budgeting in the Master in Corporate Banking Program of Unicredit Group. (Details)
  Frühwirth, Manfred. 2011. Course Materials for International Financial Management I. (Details)
  Frühwirth, Manfred. 2011. Materials for Accounting, Finance & Controlling. (Details)
  Frühwirth, Manfred. 2011. Materials for Finance-Based Controlling (used in various Professional MBA Programs of WU Executive Academy).. (Details)
  Frühwirth, Manfred. 2011. Materials for Financial Management (used in various Professional MBA Programs of WU Executive Academy).. (Details)
  Frühwirth, Manfred. 2011. Unterrichtsmaterialien für "Finanzierung & Finanzmärkte" (verwendet in mehreren MBA-Programmen der WU Executive Academy).. (Details)
  Frühwirth, Manfred. 2011. Unterrichtsmaterialien zur Lehrveranstaltung "Bond Pricing - Konzepte der Anleihenbewertung".. (Details)
  Frühwirth, Manfred. 2011. Unterrichtsmaterialien zur Lehrveranstaltung "Corporate Finance". (Details)
  Frühwirth, Manfred. 2011. Unterrichtsmaterialien zur Lehrveranstaltung "Internationale Fusionen und Übernahmen". (Details)
2010 Frühwirth, Manfred. 2010. Course Materials for Capital Budgeting in the Master in Corporate Banking Program of Unicredit Group. (Details)
  Frühwirth, Manfred. 2010. Course Materials for International Financial Management I. (Details)
  Frühwirth, Manfred. 2010. Materials for Accounting, Finance and Controlling. (Details)
  Frühwirth, Manfred. 2010. Materials for Finance-Based Controlling (used in various Professional MBA Programs of WU Executive Academy). (Details)
  Frühwirth, Manfred. 2010. Materials for Financial Management (used in various Professional MBA Programs of WU Executive Academy). (Details)
  Frühwirth, Manfred. 2010. Unterrichtsmaterialien für "Finanzierung & Finanzmärkte" (verwendet in mehreren MBA-Programmen der WU Executive Academy).. (Details)
  Frühwirth, Manfred. 2010. Unterrichtsmaterialien zur Lehrveranstaltung "Bond Pricing - Konzepte der Anleihenbewertung".. (Details)
  Frühwirth, Manfred. 2010. Unterrichtsmaterialien zur Lehrveranstaltung "Corporate Finance". (Details)
  Frühwirth, Manfred. 2010. Unterrichtsmaterialien zur Lehrveranstaltung "Internationale Fusionen und Übernahmen". (Details)
2009 Frühwirth, Manfred. 2009. Course Materials for International Financial Management I. (Details)
  Frühwirth, Manfred. 2009. Unterrichtsmaterialien für "Finanzierung & Finanzmärkte" (verwendet in mehreren MBA-Programmen der WU Executive Academy). (Details)
  Frühwirth, Manfred. 2009. Unterrichtsmaterialien zur Lehrveranstaltung "Bond Pricing - Konzepte der Anleihenbewertung". (Details)
  Frühwirth, Manfred. 2009. Unterrichtsmaterialien zur Lehrveranstaltung "Internationale Fusionen und Übernahmen". (Details)

Lecture notes/article in lecture notes

2018 Frühwirth, Manfred. 2018. Course Materials for Financial Management and Controlling in the Professional MBA of WU Executive Academy. Course Materials for Financial Management and Controlling in the Professional MBA of WU Executive Academy. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2018. Course Materials for Financial Management in the Global Executive MBA of WU Executive Academy. Course Materials for Financial Management in the Global Executive MBA of WU Executive Academy. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2018. Course Materials for the Executive MBA Bucharest of WU Executive Academy. Course Materials for the Executive MBA Bucharest of WU Executive Academy. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2018. Unterrichtsmaterialien zu Behavioral Corporate Finance. Unterrichtsmaterialien zu Behavioral Corporate Finance. Wien: Eigenverlag. (Details)
2015 Frühwirth, Manfred. 2015. Unterrichtsmaterialien zu Entscheidungsmanagement. Unterrichtsmaterialien zu Entscheidungsmanagement. Wien: Eigenverlag. (Details)
2009 Frühwirth, Manfred. 2009. Course Materials for Financial Management in the Professional MBA Tourism Management. Wien: Eigenverlag. (Details)
2008 Frühwirth, Manfred. 2008. Course Materials for Portfolio Management, CAPM and Cost of Capital. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Unterrichtsmaterialien zu Entscheidungsorientierter Finanzplanung. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Unterrichtsmaterialien zu Investition & Finanzierung. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for "Introduction" in the Advanced Financial Mathematics Program of HVB and Bank Austria. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for Financial Management in the Professional MBA "IT & Business Process Management". Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for Financial Management in the Professional MBA Banking & Insurance. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for Financial Management in the Professional MBA Controlling & Finance. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for Financial Management in the Professional MBA Entrepreneurship & Innovation. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for Financial Management in the Professional MBA Marketing & Sales. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for Financial Management in the Professional MBA Project & Process Management. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Course Materials for International Financial Management I. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Materials for "Accounting, Finance and Controlling". Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Skriptum zur Lehrveranstaltung Bond Pricing. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Unterlagen zur Lehrveranstaltung "Internationale Fusionen und Übernahmen". Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Unterrichtsmaterialien zu Finanzierung. ISMOS Professional MBA der WU Executive Academy. Manfred Frühwirth. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2008. Unterrichtsmaterialien zum Kurs Finanzierung & Finanzmärkte im Professional MBA Health Care Management. Wien: Eigenverlag. (Details)
2007 Frühwirth, Manfred. 2007. Course Materials for Financial Management in the Advanced Management Program of Telekom Austria/Mobilkom Austria. Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2007. Course Materials for Capital Budgeting in the Master in Corporate Banking Program of Unicredit Group. Wien: Eigenverlag. (Details)
2004 Frühwirth, Manfred. 2004. Materials for "Business Valuation". Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2004. Materials for "Concepts and Instruments in Finance". Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2004. Materials for "Structure and Analysis of Financial Statements". Wien: Eigenverlag. (Details)
  Frühwirth, Manfred. 2004. Presentation Materials for 'International MBA - Global Finance I'. Eigenverlag (Details)
  Frühwirth, Manfred. 2004. Presentation Materials for 'Portfolio Management. CAPM and Cost of Capital' at Bordeaux Business School (Details)
  Frühwirth, M.. 2004. Unterlagen zur Lehrveranstaltung "Internationales Finanzmanagement". Wirtschaftsuniversität Wien (Details)
2003 Frühwirth, Manfred. 2003. Finanzierungstheorie. Unterlage zum Sommerhochschulkurs an der Wirtschaftsuniversität Kiew (Details)
  Frühwirth, Manfred. 2003. Übungsklausuren zum PS Bond Pricing. Eigenverlag (Details)
2002 Frühwirth, Manfred, Höger, Andreas. 2002. Arbeitsunterlage zu den PS Investition & Finanzierung I. Eigenverlag (Details)
  Frühwirth, Manfred. 2002. Arbeitsunterlage zum PS Kostenrechnung II - Aufbau, Arten und Anwendungen von Kostenrechnungssystemen. Service-Fachverlag (Details)
  Frühwirth, Manfred. 2002. Presentation Materials for the International MBA 2002 - Finance Segment. Eigenverlag (Details)
  Frühwirth, Manfred. 2002. Übungsklausuren zum PS Kostenrechnung II - Aufbau, Arten und Anwendungen von Kostenrechnungssystemen. Service-Fachverlag (Details)
2000 Frühwirth, Manfred. 2000. Finanz-Management. Unterlage zum Sommerhochschulkurs an der Universität Bratislava, an der Wirtschaftsuniversität Budapest und an der Wirtschaftsuniversität Wien (Details)
1998 Frühwirth, Manfred. 1998. Skriptum zum PS Bond Pricing I. Eigenverlag (Details)
  Frühwirth, Manfred. 1998. Skriptum zum PS Bond Pricing II. Eigenverlag (Details)
1994 Frühwirth, Manfred et al.. 1994. Grundlagen der Industriebetriebslehre. Unterlage zum Hochschulkurs 'Industrielles Integrationsmanagement' (Details)

eBook/chapter in eBook

2015 Frühwirth, Manfred. 2015. Bootstrapping Zero-Coupon Rates from the Yield Curve. Online-Wörterbuch der Wirtschaftswissenschaften. WiWi-Media AG. http://www.odww.de/index.php?navID=100&uid=645 (Details)
  Frühwirth, Manfred. 2015. Forward Interest Rates. Online-Wörterbuch der Wirtschaftswissenschaften. WiWi-Media AG. http://www.odww.de/index.php?navID=100&uid=646 (Details)
  Frühwirth, Manfred. 2015. Gamma. Online-Wörterbuch der Wirtschaftswissenschaften. WiWi-Media AG. http://www.odww.de/index.php?navID=100&uid=644 (Details)
  Frühwirth, Manfred. 2015. Ho/Lee (1986) Model. Online-Wörterbuch der Wirtschaftswissenschaften. WiWi-Media AG. http://www.odww.de/index.php?navID=100&uid=647 (Details)

Magazine/newspaper article

2018 Frühwirth, Manfred. 2018. Alles unter Kontrolle? Alles Illusion! TOP-GEWINN, 14.12.18 (Details)
  Frühwirth, Manfred. 2018. Herdenverhalten: Werden Sie nicht zum Lemming! TOP-GEWINN, 15.11.18 (Details)
  Frühwirth, Manfred. 2018. "Status Quo Bias": Lassen Sie Ihr Portfolio nicht verstauben! TOP-GEWINN, 15.10.18 (Details)
  Frühwirth, Manfred. 2018. Wer seine Investments ständig kontrolliert, fokussiert sich viel zu stark auf Verluste. TOP-GEWINN, 14.09.18 (Details)
  Frühwirth, Manfred. 2018. Verlustaversion: Wir verkaufen bei Gewinn zu früh, begrenzen Verluste zu spät. TOP-GEWINN, 15.08.18 (Details)
  Frühwirth, Manfred. 2018. Selbstüberschätzung kommt vor dem Fall. TOP-GEWINN, 15.06.18 (Details)
  Frühwirth, Manfred. 2018. Der Extrapolationsfehler: Ein kühler Kopf ist besser als eine heiße Hand. TOP-GEWINN, 16.05.18 (Details)

Unpublished lecture

2018 Frühwirth, Manfred. 2018. Die größten Anlegerfehler. GEWINN-Messe 2018, Wien, 18.10.18 (Details)
  Frühwirth, Manfred. 2018. Inflationsindexierte Anleihen als Alternative zu Immobilienanlagen. Fortbildungswochenende des CARI (Collegium Academicum Rerum Immobilium), Pöllauberg, 15.04.18 (Details)
2017 Frühwirth, Manfred. 2017. Häufige Verhaltensfehler bei Entscheidungen (mit Schwerpunkt auf finanzwirtschaftlichen Entscheidungen). Fortbildungswochenende des CARI (Collegium Academicum Rerum Immobilium), Pöllauberg, 02.04. (Details)
  Frühwirth, Manfred. 2017. Immobilienanlagen am Kapitalmarkt ("Indirekte Immobilienanlagen"). Fortbildungswochenende des CARI (Collegium Academicum Rerum Immobilium), Pöllauberg, 01.04. (Details)
2016 Frühwirth, Manfred. 2016. Traditionelle Kapitalmarktanlagen und Immobilienanlagen – Konkurrenz oder Ergänzung? Fortbildungswochenende des CARI (Collegium Academicum Rerum Immobilium), Pöllauberg, 10.04. (Details)
2013 Frühwirth, Manfred. 2013. Grenzen der Rationalität in der Finanzwirtschaft - Machen wir den Test!. Seminar der Allianz Investment Bank, Wien, 23.04. (Details)
2012 Frühwirth, Manfred. 2012. Behavioral Finance als Ergänzung der traditionellen Finanzierungstheorie - Grenzen der Rationalität in der Finanzwirtschaft. Jahreskonferenz der Certified Financial Planners, Wien, 11.09. (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2012. Does the sun shine on the corporate bond market. Brownbag Seminar - Vienna Graduate School of Finance, Wien, 11.01. (Details)
2011 Frühwirth, Manfred. 2011. Discussion of "Robust and Fragile Firm-Specific Determinants of the Capital Structure of Chinese Firms" von Moosa/Li/Naughton. Annual Conference of the Multinational Finance Society, Rom, 28.06. (Details)
  Frühwirth, Manfred. 2011. Discussion of "LYON Taming by the IRS: Evidence on the Tax Advantage of Debt" von Nandu Nayar. Annual Conference of the Financial Management Association - Europe, Porto, 14.06. (Details)
2009 Frühwirth, Manfred. 2009. Diskussion von "Do Hedge Funds Trade on Private Information? Evidence from Syndicated Lending" von Massoud/Nandy/Saunders/Song. Annual Conference of the European Financial Management Association, Mailand, 24.06. (Details)
  Frühwirth, Manfred. 2009. Diskussion von "Herd Induced by Uninformed Traders in Efficient Financial Markets" von Chen. Annual Conference of the Swiss Finance Association, Genf, 03.04. (Details)
2008 Frühwirth, Manfred. 2008. Diskussion von "Why are British Premim Bonds so Successful? The Effect of Saving with a Thrill". 11th Symposium Finance, Banking and Insurance, Karlsruhe, 19.12. (Details)
  Frühwirth, Manfred, Kobialka, Marek. 2008. Do Equity Tax Shields Increase the Equity Ratio?. Brownbag Seminar of the Institute of Finance, Banking & Insurance, WU Wien, Wien, 12.11. (Details)
  Frühwirth, Manfred. 2008. Diskussion von "Health Status and Portfolio Choice: Causality or Heterogeneity". 15th Annual Conference of the Multinational Finance Society, Orlando, 08.07. (Details)
2006 Frühwirth, Manfred. 2006. The Optimal Design of Bonus Plans in the Presence of Earnings Management. Brownbag Seminar of the Accounting and Control Department at Harvard Business School, Boston, 15.05. (Details)
  Frühwirth, Manfred. 2006. Diskussion von "Tracking Stocks and Financial Clienteles: Does Financial Focus Add Firm Value". 42nd Annual Conference of the Eastern Finance Association, Philadelphia, 21.04. (Details)
  Frühwirth, Manfred. 2006. The Optimal Design of Bonus Plans in the Presence of Earnings Management. Research Seminar of the Department of Applied Economics of the University of Minnesota, Minneapolis, 28.03. (Details)
  Frühwirth, Manfred. 2006. Real Options in Business Valuation. Research Seminar at Carlson School of Management of the University of Minnesota, Minneapolis, 27.03. (Details)
  Frühwirth, Manfred. 2006. Diskussion von "Defaultable Bond Spreads with Personal Taxes and Rating Transitions". 55th Annual Conference of the Midwest Finance Association, Chicago, 24.03. (Details)
2005 Frühwirth, M.. 2005. Business Valuation in Tax Regimes with Imputed Interest on Equity. Johannes-Kepler-Universität Linz, Austria (Details)
  Frühwirth, M.. 2005. Business Valuation in Tax Regimes with Imputed Interest on the Stock of Equity. Universität Lund, Schweden (Details)
  Frühwirth, M.. 2005. The effect of investment horizons on risk, return and end of period wealth for major asset classes in Canada - A discussion. 12th Annual Conference of the Multinational Finance Society, Athens, (Details)
2004 Frühwirth, M.. 2004. An analytical model of required returns to equity under taxation with imperfect loss offset - A discussion. 13th Annual Conference of the European Financial Management Association, Basel, Switzerland (Details)
  Frühwirth, M.. 2004. Unternehmensbewertung bei steuerlich absetzbaren Eigenkapitalzinsen. Friedrich Alexander University, Erlangen-Nürnberg, Germany (Details)
2003 Frühwirth, M.. 2003. Zinsänderungsrisiko. Karl-Franzens-Universität Graz (Details)
2002 Frühwirth, Manfred. 2002. Diskussion von 'The decision of investment and its funding in an undergoing institutional environment: The case of nuclear equipment" von Guillerminet. Recent Topics in Real Options Valuation, Donau Universität Krems, 01.01. (Details)
2001 Frühwirth, Manfred. 2001. Diskussion von 'Liquidity and Credit Risk' von Ericsson/Renault. Annual Conference of the European Financial Management Association, Lugano (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2001. The Jarrow/Turnbull default risk model: Evidence from the German market. Finance Research Seminar at the Institute of Advanced Studies, Vienna (Details)
  Frühwirth, Manfred, Sögner, Leopold. 2001. The Jarrow/Turnbull default risk model: Evidence from the German market. Finance Research Seminar, Goethe University, Frankfurt (Details)
2000 Frühwirth, Manfred, Bogner, Stefan. 2000. Die Eigenkapitalzuwachsverzinsung nach der Steuerreform 2000 und die (Ir-)Relevanz der Kapitalstruktur. Forschungsvortrag am Wirtschaftsforschungsinstitut Wien (Details)
  Frühwirth, Manfred. 2000. Die empirische Schätzung des Jarrow/Turnbull-Modells - Ein Vergleich zwischen Querschnitts- und Längsschnittsschätzung. Forschungsvortrag an der Universität Wien (Details)
  Frühwirth, Manfred. 2000. Diskussion von 'Lineare Anreizsysteme von Managern und Risikowahl bei beschränkter Haftung' von Blum. 3. Konferenz der Schweizerischen Gesellschaft für Finanzmarktforschung in Zürich (Details)
1999 Frühwirth, Manfred. 1999. Sekundärmarktrenditen und SMR-basierte Kapitalmarktfloater. Forschungsvortrag an der Karl-Franzens-Universität Graz (Details)
1998 Frühwirth, Manfred. 1998. Diskussion von 'On the Term Structure of Default Premia in the Swap and Libor Markets' von Collin-Dufresne/Solnik. 15th International Conference of Finance (AFFI 98) in Lille (Details)

Projects

2006
European Financial Management Association, Annual Meeting 2007 (2006-2007) (Details)